Recent Annual Filings for CAC

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $5,805,138,000 $35,688,000 $-29,772,000 $59,910,000 $60,933,000 $23,897,000 $115,159,000
2023 $5,714,506,000 $33,567,000 $-20,269,000 $67,786,000 $67,508,000 $-36,102,000 $24,377,000
2022 $5,671,850,000 $33,274,000 $-43,773,000 $-58,287,000 $105,183,000 $237,341,000 $-145,198,000
2021 $5,500,356,000 $31,954,000 $-54,687,000 $42,045,000 $142,716,000 $581,228,000 $74,851,000
2020 $4,898,745,000 $27,736,000 $-46,660,000 $86,494,000 $18,230,000 $346,360,000 $70,138,000
2019 $4,429,521,000 $28,330,000 $-43,249,000 $75,355,000 $32,871,000 $31,601,000 $8,637,000
2018 $4,297,435,000 $151,377,000 $85,600,000 $49,063,000 $64,334,000 $176,471,000 $-35,972,000
2017 $4,065,398,000 $136,104,000 $73,750,000 $25,647,000 $58,334,000 $169,061,000 $15,264,000